$2270.00
+ $15.00 (0.67%)
End-of-day quote: 05/17/2024
BVC:EXITO

Almacenes Éxito Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
$21.12T $20.62T $16.92T $15.74T $15.29T $14.87T $56.44T $51.61T $24.05T $10.48T $10.42T $9.79T $8.44T $7.20T $6.98T $7.12T $6.81T $4.26T
GM % Gross Margin %
24.55% 24.23% 24.99% 24.14% 24.84% 25.15% 24.59% 23.53% 25.43% 24.33% 24.01% 22.10% 21.11% 20.99% 25.27% 24.17% 23.66% 24.10%
OM Operating Margin
4.27% 4.82% 5.60% 4.28% 4.67% 4.64% 4.52% 3.58% 5.44% 5.98% 3.14% 2.97% 2.83% 2.17% 3.65% 3.74% 3.92% 3.99%
EPS Earnings Per Share
$0.00 $161.12 $99.36 $394.97 $239.27 $42.90 $367.87 $367.09 $275.54 $427.09 $341.72 $326.48 $353.96 $290.03 $254.83 $147.37 $131.23 $102.13 $145.68
Div. Dividends
$167.50 $167.50 $177.00 $215.43 $104.04 $104.04 $81.07 $225.24 $225.23 $177.00 $177.00 $177.00 $145.00 $100.00 $80.00 $0.00 $100.00 $100.00
PR % Payout Ratio %
103.96% 168.58% 44.81% 90.04% 242.52% 28.28% 22.08% 81.74% 52.74% 51.80% 54.21% 50.01% 49.99% 39.24% 54.29% 0 97.91% 68.64%
Sha. Shares
1297.86m 1297.86m 447.6m 447.6m 447.6m 447.6m 447.6m 447.6m 447.6m 447.6m 447.6m 447.6m 447.6m 333.33m 333.17m 283.63m 283.63m 208.93m
OCF Operating Cash Flow
$1.53T $901.43B $1.14T $630.30B $-462317.00M $3.17T $2.72T $113.15B $9.85T $947.19B $906.79B $886.25B $889.55B $643.75B $630.07B $521.12B $433.52B $328.84B
FCF Free Cash Flow
$695.00B $520.61B $717.30B $436.97B $-2567628.00M $1.45T $1.16T $-1641072.00M $4.40T $847.81B $404.31B $414.19B $564.54B $449.28B $478.89B $50.60B $180.18B $5.57B
FCFS Free Cash Flow Per Share
$819.46 $379.93 $1.51k $891.68 $-5618.13 $599.54 $1.99k $-4322.67 $18.61k $1.25k $1.17k $1.26k $-799.78 $1.36k $517.58 $150.04 $-2050.87 $25.07